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Convertible Notes (Tables)
6 Months Ended
Oct. 31, 2014
Convertible Notes Tables  
Summary of changes in purchased warrants
    SIX MONTHS ENDED     YEAR ENDED  
    October 31, 2014     APRIL 30, 2014  
    NUMBER     WEIGHTED AVERAGE EXERCISE PRICE     NUMBER     WEIGHTED AVERAGE EXERCISE PRICE  
                         
Balance, beginning of period     -     $ -       -     $ -  
Issued     70,707,071       0.00198       -       -  
                                 
Balance, end of period     70,707,071     $ 0.00198       -     $ -  
Purchase of outstanding warrants
        NUMBER      
NUMBER   PRICE   EXERCISABLE      
OF   PER   AT OCTOBER 31,   EXPIRY  
WARRANTS   WARRANT    2014   DATE  
                 
70,707,071   $ 0.00198   70,707,071   August 7, 2019  
Estimated warrants issued
    OCTOBER 31     APRIL 30  
    2014     2014  
             
Risk free interest rate     1.6 %     -  
Expected life     5 years       -  
Expected volatility     195 %     -  
Expected forfeiture     -       -  
Expected dividend yield     -       -  
Fair value of warrants issued   $ 0.0038       -